6 August 2021
To the bondholders in senor secured bonds with ISIN NO 001 0820178 (NOK Bonds) and ISIN SE 001 1062256 (SEK Bonds) (collectively the “Bonds”) issued by BioFish Holding AS (the “Issuer”) on 13 April 2018.
A Norwegian translation is included in the full notice which may be downloaded below. In case of any inconsistency between the Norwegian translation and the English text, the English text shall prevail.
Intertrust (Norway) AS (the “Trustee”) is acting as Trustee on behalf of the Bondholders under the terms and conditions relating to the Bonds dated 9 April 2018 (the “Terms and Conditions”).
Notice of Mandatory Prepayment Event and redemption of the Bonds
The Issuer hereby gives notice that pursuant to the resolution made by the Bondholders 6 May 2021, a Mandatory Prepayment Event has occurred.
On 20 August 2021 (the “Redemption Date”), the Issuer will redeem all of the outstanding Bonds in full from the Bondholders holding Bonds on the applicable Record Date being 13 August 2021.
The Redemption Notice from the Issuer is attached as Schedule 1 under the full notice which may be downloaded below.